1. Cash On-Hand and in the Bank, Beginning of the Month  | 
			(1) Opening Cash  | 
			
				  | 
			$  | 
			
				  | 
		||
2. Amounts Received during the Month  | 
			
				  | 
			
				  | 
			
				  | 
		|||
				
  | 
			$  | 
		|||||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				  | 
			$  | 
			
				  | 
			
				  | 
		|||
				  | 
			(2) Total Receipts  | 
			
				  | 
			$  | 
			
				  | 
		||
3. Disbursements made during the Month (form HUD-93480-ORCF, Schedule B)  | 
			
				  | 
			
				  | 
			
				  | 
			
				  | 
		||
				
  | 
			$  | 
		|||||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				
  | 
			$  | 
			
				  | 
			
				  | 
		|||
				
  | 
			
				  | 
			
				  | 
			
				  | 
		|||
				
  | 
			
				  | 
			
				  | 
			
				  | 
		|||
h. Other expenses not included above  | 
			
				  | 
			
				  | 
			
				  | 
		|||
				 
				  | 
			(3) Total Disbursements  | 
			$  | 
			
				  | 
		|||
4 Cash On-Hand and in the Bank, End of Month (Line 1 + line 2 minus line 3)  | 
			
				  | 
			$  | 
			
				  | 
		|||
5 Accounts Payable (from HUD-93481-ORCF, Schedule C)  | 
			
				  | 
			
				  | 
			
				  | 
		|||
6 a. Number of Units Vacant  | 
			
				  | 
			
				  | 
		||||
b. Number of Units Occupied  | 
			
				  | 
			
				  | 
		||||
c. Number of Rooms Vacant  | 
			
				  | 
			
				  | 
			
				  | 
		|||
d. Number of Rooms Occupied  | 
			
				  | 
			
				  | 
			
				  | 
		|||
7 Medicaid/Medicare/Private Pay Accounts Receivable  | 
			
				  | 
			
				  | 
			
				  | 
		|||
				 
					Borrower certifies that
					the statements and representations contained in this instrument
					and all supporting documentation thereto are true, accurate, and
					complete and that each signatory has read and understands the
					terms of this instrument.  This instrument has been made,
					presented, and delivered for the purpose of influencing an
					official action of HUD and may be relied upon by HUD as a true
					statement of the facts contained therein. 
					  | 
			$  | 
		|||||
	Page
	1 of 2 
	form
	HUD-93479-ORCF
	(03/2018)
	
	 
	Previous
	versions obsolete 
	 
	 
	
	
	
	
 
	See
	Reporting Burden Statement, Privacy Act Requirements and
	Instructions on Page 2. 
	Schedule
	A Monthly
	Report for
	
	 Establishing
	Net Income 
	Office
	of Residential Care
	Facilities 
	Warning:
	Any person who knowingly presents a false, fictitious, or fraudulent
	statement or claim in a matter within the jurisdiction of the U.S.
	Department of Housing and Urban Development is subject to criminal
	penalties, civil liability, and administrative sanctions
 
	Page
	2 of 2 
	form
	HUD-93479-ORCF
	(mm/yyyy)
	
	 
	Previous
	versions obsolete 
	 
	
	
	
	Authority
	for the collection of information on this form is contained in 24
	CFR, CH 11 (4-1-99 Edition), Section 200.105, Mortgagor
	Supervision, Page 22.  The reports are sent to the Department
	of Housing and Urban Development (HUD) the tenth day of each month
	by owners or management agents of HUD-insured or Secretary-held
	properties.  The information collected on HUD-93479-ORCF summarizes
	cash flows during the month and the project’s working capital
	position as of the end of the month.  The information is used by HUD
	to assess the need for remedial actions to correct project
	deficiencies.  If information is not collected the Department would
	not be able to monitor debt collection on HUD-held projects and
	would increase the potential for fraud, diversions, defaults, and
	assignments.  The information is not considered sensitive.  While no
	assurances of confidentiality are pledged to respondents, HUD
	generally discloses this data only in response to a Freedom of
	Information request. 
	Instructions
	for Preparation of Monthly Reports for Establishing Net Income 
	 (These
	same Instructions are included on the HUD-93480-ORCF and
	HUD-93481-ORCF forms.) 
	One
	copy of the monthly report forms (forms HUD-93479-ORCF,
	HUD-93480-ORCF, and HUD-93481-ORCF) is due in the HUD Field Office
	no later than the tenth
	of the month following
	the month of operation covered by the report.  Reports for projects
	receiving Flexible Subsidy are due no later than the fifth
	of the month
	following the month of operation covered by the report.  All
	applicable
	lines should be completed since partial information reduces the
	usefulness
	of the reports.  The report must be signed by an authorized
	representative of the management agent or mortgagor. 
	Form
	HUD-93479-ORCF, Monthly Report for Establishing Net Income 
	Schedule
	C: Form HUD-93481-ORCF, Schedule of Accounts Payable 
	Schedule
	B: Form HUD-93480-ORCF, Schedule of Disbursements 
	All
	delinquencies under the mortgage must be shown.  Itemize principal,
	interest, type of escrow, and MIP. 
	 All
	other amounts owed as of the end of the month must be shown and
	adequately identified as to who owed, the purpose of the obligation,
	and the date incurred. 
	 
	 
	All
	disbursements from project cash must be shown. Check
	numbers must be consecutive.  Payee and purpose of each disbursement
	must be identified. 
	Public
	reporting
	burden for this collection of information is estimated to average 1
	hour.  This includes the time for collecting, reviewing, and
	reporting the data.  The information is being collected to obtain
	the supportive documentation which must be submitted to HUD for
	approval, and is necessary to ensure that viable projects are
	developed and maintained.  The Department will use this information
	to determine if properties meet HUD requirements with respect to
	development, operation and/or asset management, as well as ensuring
	the continued marketability of the properties.  This agency may not
	collect this information, and you are not required to complete this
	form, unless it displays a currently valid OMB control number. 
	 
	 
	Line
	2 c: 	Include advances provided to meet operating expenses. 
	Identify source of advances. 
	 
	 Line
	3 h: 	Include cash paid for necessary and reasonable operating
	expenses of the project. 
	
	
	
	
	
	
	
	
	
	
| File Type | application/vnd.openxmlformats-officedocument.wordprocessingml.document | 
| File Modified | 0000-00-00 | 
| File Created | 2021-01-15 |